## **ACCOUNTS - 1 January - 31 December 2024** 

|_Balance brought forward_|_1021.97_||||
|---|---|---|---|---|
||||||
|**INCOME**|||**EXPENDITURE**||
|Funding Grants|1844.65||Power NI|395.04|
|Membership|200.00||Insurance|787.77|
|Equipment|120.00||Bank Charges|60.36|
|Loan from band member|1740.00||Tuition|160.00|
|Fundraising|2272.00||Pipe & Drum Equipment|1787.17|
|Donations|1190.00||Transport|380.00|
||||Building Maintenance|1200.00|
||||Loan repaid|1740.00|
||||||
||||_Cash in Hand/Bank_|_1878.28_|
||||||
|SubTotals|**£7,366.65**|||**£8,388.62**|
||||||
||£8,388.62|||8388.62|



